Brokerage > Customer Services

Fund Deposit and Withdrawal Notice

A)     Deposit    

          For Securities Trading Account

Bank

Currency

Account Number

HSBC

HKD

 004-809-687536-001

 

USD

 004-809-687536-838

 

RMB

 004-808-795322-285

ICBC

HKD

 072-861-502-21812-8

 

USD

 072-861-506-00822-4

 

RMB

 072-861-560-00337-5

 

           For Futures Trading Account

Bank

Currency

Account Number

HSBC

HKD

 004-808-795330-001

 

USD

 004-808-795330-274

 

RMB

 004-848-202941-209

ICBC

HKD

 072-861-502-21813-1

 

USD

 072-861-506-00823-7

 

1.    Payment in person   

Client can visit our office at Units 3105-3108, 31/F, Tower 2, Lippo Centre, 89 Queensway, Admiralty, Hong Kong for cheque deposit before 3:00 pm on each business day. All cheques should be 

1.

personal crossed, 

2.

drawn in favour of “Mayfair Pacific Financial Group Limited”  

3.

drawn on a licensed bank in Hong Kong 

Cheques received after 3:00 pm will be processed for value on the next business day.

 

2.    Bank Deposit    

Clients can deposit by direct credit into any of our accounts maintained with the designated banks as set out above and fax the deposit slips to our Customer Services Unit on (852) 3192 1131 for confirmation before 4:30 pm on each business day.  Clients should indicate their trading account number and account name on the deposit slip. 

Deposit slips received after 4:30 pm will be processed for value on the next business day.

 

B)      Withdrawal   

Clients can issue withdrawal instruction by sending a completed withdrawal form to our Customer Services Unit on (852) 3192 1131 before 11:30 am on each business day.  The funds will be deposited into client’s bank account in the form of a crossed cheque.

Withdrawal instructions received after 11:00 am will be processed for value on the next business day.